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Intentional bankruptcies and methods of detection

open access: yesBuhalterinės Apskaitos Teorija ir Praktika, 2023
Bankruptcy can happen to any company, but it is very difficult to identify intentional bankruptcies that are carried out for personal gain. Currently, there is no precise methodology for identifying intentional bankruptcies, so the process depends on ...
Gintarė Juškaitė
doaj   +1 more source

Predicting Returns with Financial Ratios [PDF]

open access: yesSSRN Electronic Journal, 2002
This article provides a new test of the predictive ability of aggregate financial ratios. Predictive regressions are subject to small-sample biases, but the correction in previous studies can substantially understate forecasting power. Dividend yield predicts aggregate market returns from 1946 - 2000, as well as in various subperiods.
openaire   +2 more sources

EFFECTIVENESS OF APPLICATION OF ACQUISITION IN ENERGY SECTOR AND MINING COMPANIES IN INDONESIA

open access: yesJurnal Aplikasi Manajemen, 2018
The purpose of this study is to determine the difference in the acquirer’s financial performance as measured by the current ratio of debt to equity ratio of the operating profit margin net profit margin return on investment return on equity between ...
Fatimah Tsaralya Asegaf, Sahala Manalu
doaj   +1 more source

Predictability of stock returns using financial statement information: Evidence on semi-strong efficiency of emerging Greek stock market [PDF]

open access: yes, 2010
This article examines the predictability of stock returns in the Athens Stock Exchange (ASE) during 1993 to 2006 by using accounting information. Using panel data analysis, this article concludes that the selected set of financial ratios contains ...
Alexakis, C.   +2 more
core   +1 more source

Financial Ratios and Perceived Household Financial Satisfaction

open access: yesJournal of Financial Therapy, 2013
This paper tests the relative strength of three objective measures of financial health (using the solvency, liquidity, and investment asset ratio) in predicting a household’s subjective feeling of current financial satisfaction.
Scott Garrett, Russell N. James III
doaj   +1 more source

Factors Influence Financial Sustainability Banking In Indonesia

open access: yesAl-tijary, 2020
This research aims to determine the factors that affect the financial sustainability of conventional banks and sharia banks in Indonesia. Data obtained from the financial statements of conventional commercial banks and Islamic commercial banks have been ...
Arini Mar'ah Sholikah, Titis Miranti
doaj   +1 more source

Financial Health and Exports Sales: Evidence from Pakistan’s Manufacturing Sector

open access: yesJournal of Accounting and Finance in Emerging Economies, 2021
Purpose: Many developing countries are espousing export promotion strategies for accelerating growth. All the firms in a country are not exporting due to various factors and characteristics. One of the factors is finance or balance sheet that affects the
Muhammad Ramzan Sheikh   +3 more
doaj   +1 more source

An analysis of NPAs of Indian banks: Using a comprehensive framework of 31 financial ratios

open access: yesIIMB Management Review, 2019
The study examines panel data for 46 Indian banks with 31 bank specific financial ratios over eight years (2007 to 2014). Together, these ratios reflect operating capability, liquidity, solvency, profitability, capital adequacy and business development ...
Jaslene Bawa   +3 more
semanticscholar   +1 more source

Fundamental Analysis of Financial Ratios on Stock Prices

open access: yes, 2020
This study is a follow-up study of research on stock prices that have been conducted by researchers, but this research focuses on the fundamental analysis of the impact of financial ratios before and after being published on stock prices.
Deden Tarmidi   +2 more
semanticscholar   +1 more source

Reward-to-risk ratios in Turkish financial markets [PDF]

open access: yes, 2012
This paper investigates how reward-to-risk ratios compare among various government debt security (GDS) indices and sector indices in the Istanbul Stock Exchange. Risk is measured by either standard deviation or nonparametric and parametric value at risk.
Atilgan, Yigit   +3 more
core   +1 more source

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